成長(開始日): 2025 32%
リアルタイムでトレードを見るためには ログインしてください または 登録
  • エクイティ
  • ドローダウン
トレード:
770
利益トレード:
752 (97.66%)
損失トレード:
18 (2.34%)
ベストトレード:
13.66 USD
最悪のトレード:
-3.42 USD
総利益:
893.03 USD (124 234 pips)
総損失:
-16.38 USD (2 153 pips)
最大連続の勝ち:
258 (251.34 USD)
最大連続利益:
251.34 USD (258)
シャープレシオ:
0.87
取引アクティビティ:
97.50%
最大入金額:
1.30%
最近のトレード:
1 日前
1週間当たりの取引:
24
平均保有時間:
3 日
リカバリーファクター:
256.33
長いトレード:
770 (100.00%)
短いトレード:
0 (0.00%)
プロフィットファクター:
54.52
期待されたペイオフ:
1.14 USD
平均利益:
1.19 USD
平均損失:
-0.91 USD
最大連続の負け:
2 (-0.05 USD)
最大連続損失:
-3.42 USD (1)
月間成長:
2.66%
年間予想:
33.69%
アルゴリズム取引:
0%
残高によるドローダウン:
絶対:
0.00 USD
最大の:
3.42 USD (0.09%)
比較ドローダウン:
残高による:
0.08% (2.52 USD)
エクイティによる:
12.74% (764.67 USD)

配布

シンボル ディール Sell Buy
AUDJPY.h 173
USDJPY.h 166
GBPJPY.h 154
GBPCHF.h 118
EURJPY.h 86
EURCHF.h 50
USDCHF.h 23
25 50 75 100 125 150 175 200
25 50 75 100 125 150 175 200
25 50 75 100 125 150 175 200
シンボル 総利益, USD Loss, USD 利益, USD
AUDJPY.h 168
USDJPY.h 203
GBPJPY.h 199
GBPCHF.h 149
EURJPY.h 87
EURCHF.h 46
USDCHF.h 25
25 50 75 100 125 150 175 200 225 250 275 300
25 50 75 100 125 150 175 200 225 250 275 300
25 50 75 100 125 150 175 200 225 250 275 300
シンボル 総利益, pips Loss, pips 利益, pips
AUDJPY.h 27K
USDJPY.h 32K
GBPJPY.h 31K
GBPCHF.h 8.8K
EURJPY.h 15K
EURCHF.h 3.8K
USDCHF.h 1.8K
5K 10K 15K 20K 25K 30K 35K 40K
5K 10K 15K 20K 25K 30K 35K 40K
5K 10K 15K 20K 25K 30K 35K 40K
  • Deposit load
  • ドローダウン
ベストトレード: +13.66 USD
最悪のトレード: -3 USD
最大連続の勝ち: 258
最大連続の負け: 1
最大連続利益: +251.34 USD
最大連続損失: -0.05 USD

いろいろなブローカーのリアルアカウント上で実行統計に基づいたスリッページの平均は、いくつかの点で指定されています。それはオーダー実行の遅れに依るのと同様に、プロバイダーの"QuickPro-Live"からの引用と購読者の引用の違いに依るものです。値がより低いことがコピーの品質がより良いことを意味しています。

データがありません

Professional Strategy Review — Carry Trade Long-Duration System

📌 Strategy Overview

  • Long‑duration carry trade system

  • Focus on positive swap accumulation

  • Positions opened in the direction of interest‑rate advantage

  • Floating is expected and part of the strategy

  • Mean‑reversion entries with controlled spacing

  • Conservative exposure and low deposit load

📌 Core Principles

  • Positive swap priority

    • Only trade directions with favorable swap

    • Swap acts as passive yield during floating

  • Controlled layering

    • New layers added only when drawdown < internal threshold

    • Layering stops automatically when threshold is reached

  • Long holding periods

    • Trades may remain open for days or weeks

    • Aligned with macro interest‑rate cycles

📌 Risk Management

  • Drawdown discipline

    • DD kept within internal limits

    • Layering stops at DD ceiling

  • Exposure control

    • Very low leverage

    • Deposit load typically <1%

  • Manual intervention

    • Trades may be closed manually (profit or loss)

    • TP may be adjusted or removed

    • These actions are intentional, not panic

    • Part of long‑term stability management

📌 Take‑Profit Behavior

  • TP is dynamic, not fixed

  • TP may be:

    • moved closer,

    • extended,

    • or removed entirely

  • Purpose:

    • adapt to market conditions

    • maintain long‑term balance

    • reduce unnecessary volatility

  • Manual close is normal and part of the system

  • Subscribers should not worry when TP changes or trades close early

📌 Scaling of Capital and Lot Size (Important for Subscribers)

  • When the master account increases its capital (e.g., from 3,000 USD to 6,000 USD), the strategy also increases the lot size (e.g., from 0.01 to 0.02).

  • The real risk for the master account remains the same, because drawdown is calculated relative to the active equity baseline.

  • However, subscribers who do not increase their capital proportionally will see an apparent increase in drawdown, because their account copies the new lot size without having the same equity level.

  • This can cause a temporary rise in DD for subscribers, even though the strategy’s risk has not changed.

  • This behavior is normal, expected, and part of the Filumina scaling model.

  • Subscribers should not interpret this as a change in strategy or an increase in risk — it is simply a technical effect of lot synchronization.

📌 Performance Characteristics

  • High stability

  • Controlled floating

  • Consistent swap accumulation

  • Medium‑term mean‑reversion behavior

  • Not a high‑frequency system

  • Not designed for aggressive short‑term gains

📌 Broker Considerations

  • Swap policies differ across brokers

  • Subscribers should ensure:

    • positive swap for the same trade direction

    • stable spreads

    • no abnormal swap changes

  • Broker differences may cause slight performance variation

📌 Suitable Subscribers

  • Prefer stability over fast gains

  • Comfortable with floating

  • Understand interest‑rate differentials

  • Use brokers with positive swap

  • Prefer long‑duration, low‑stress trading

📌 Summary

  • Calm, structured carry trade

  • Positive swap + controlled layering

  • Dynamic TP + occasional manual close

  • Scaling model may temporarily increase DD for subscribers

  • Designed for long‑term consistency

  • Floating is normal and managed

  • Stability is the priority

レビューなし
2026.09.11 22:13
No swaps are charged
2026.09.11 22:13
No swaps are charged
2026.09.11 12:07
No swaps are charged on the signal account
2026.09.11 02:01
No swaps are charged
2026.09.11 02:01
No swaps are charged
2026.09.10 04:47
No swaps are charged on the signal account
2026.09.09 22:43
No swaps are charged
2026.09.09 22:43
No swaps are charged
2026.09.09 06:44
No swaps are charged on the signal account
2026.09.09 01:42
No swaps are charged
2026.09.09 01:42
No swaps are charged
2026.09.08 11:37
No swaps are charged on the signal account
リアルタイムでトレードを見るためには ログインしてください または 登録
シグナル
価格
成長
購読者
残高
残高
Expert Advisors
トレード
利益%
アクティビティ
PF
期待されたペイオフ
ドローダウン
レバレッジ
30 USD/月
32%
1
8
USD
6K
USD
52
0%
770
97%
97%
54.51
1.14
USD
13%
1:500
コピー